Einzelwerte AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - JPY

ETF

A2QEUK

LU2233156749

JARI

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44 EUR +0.35% Intraday Chart für AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - JPY -0.62% -0.63%

Zusammensetzung des AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - JPY

Gewichtung
18’705 JPY -0.32%-1.71%+6.13%5,00%
13’035 JPY -1.73%-2.91%-2.80%4,87%
9’990 JPY -0.10%-1.91%+45.20%4,85%
5’444 JPY -0.51%+0.04%+54.26%4,81%
4’381 JPY -1.06%+1.20%+5.64%4,78%
23’300 JPY +0.63%+3.69%+1.37%4,09%
5’541 JPY +0.14%+4.71%+15.51%3,70%
4’408 JPY +0.18%-3.67%-16.05%3,58%
4’222 JPY -1.61%-0.96%-5.88%3,57%
17’185 JPY +1.60%+5.11%+68.98%3,42%
1’502 JPY -0.30%-5.53%-10.91%3,21%
3’166 JPY +2.39%+6.96%+24.21%3,11%
3’439 JPY +0.06%-2.36%+9.14%2,98%
4’094 JPY +0.27%-0.29%-8.80%2,78%
5’719 JPY -0.03%-1.67%+5.13%2,70%
5’205 JPY +1.24%-0.36%+2.10%2,63%
2’420 JPY -0.92%-0.47%+13.77%2,52%
1’965 JPY +0.31%+0.98%+11.68%2,40%
8’912 JPY +1.92%+6.67%+32.68%2,28%
5’992 JPY -1.33%+0.10%+1.73%2,26%
2’690 JPY +0.28%+0.26%-29.02%2,21%
2’748 JPY +2.29%+1.59%+15.93%2,02%
2’138 JPY +0.59%-4.40%-15.02%1,93%
2’500 JPY -2.34%-4.58%-4.56%1,83%
1’828 JPY +0.14%-0.30%+5.83%1,80%
5’171 JPY +0.45%+0.12%-21.45%1,74%
813.6 JPY +1.36%-4.28%+29.55%1,62%
3’872 JPY +0.34%+3.20%+21.95%1,48%
12’400 JPY -0.44%+0.81%+17.54%1,48%
4’227 JPY +0.40%+3.00%-9.41%1,38%
2’111 JPY +0.69%-1.59%-15.46%1,36%
6’599 JPY 0.00%-0.08%+13.00%1,34%
3’285 JPY +0.18%-1.35%+42.91%1,31%
1’462 JPY +0.17%-1.58%-27.79%1,30%
2’212 JPY -0.27%+0.45%+4.24%1,16%
3’715 JPY +1.39%+0.27%+14.06%0,90%
6’480 JPY +2.69%+2.87%-17.08%0,82%
1’652 JPY +0.24%-5.57%-36.60%0,81%
4’230 JPY +0.88%+1.73%+3.15%0,75%
12’660 JPY +2.89%+4.63%+51.62%0,60%
2’936 JPY +1.38%-1.53%-4.05%0,52%
2’636 JPY +0.59%-3.37%+17.65%0,49%
1’212 JPY -0.45%-7.34%+27.70%0,48%
9’397 JPY -1.84%-2.57%-7.46%0,43%
364.7 JPY -0.49%-3.44%-27.02%0,42%
4’767 JPY +0.23%-2.03%+12.27%0,26%
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ETF Ratings

Beschreibung

ISIN Code LU2233156749
Verwaltungsgebühren 0.18%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert 100% MSCI JAPAN SRI FILTERED PAB Total Return Index - JPY

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
27.10.2020
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 388 M€
Volumen 1M 395 M€
Volumen 3M 524 M€
Volumen 6M 579 M€
Volumen 12M 704 M€
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